R2 Guidance & Knowledge Base

Broker Specific Transaction Sheet

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The purpose of the broker-specific transaction sheet is to provide the auditor with a working document that allows them to triangulate and correlate information related to the brokered shipments, to demonstrate conformance to the requirements for R2v3, Appendix F. The Broker-Specific Transaction Sheet is part of a pilot program to improve the outcomes of auditing Brokers for the 2024 year.

To learn more, download the Transaction Sheet:

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